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Institutional Research

Stocks & Institutional Ownership

22,594 securities held by 13F filers in Q1 2026, ranked by institutional ownership.

#StockCUSIPHoldersInst. ValueNewClosed
2251Advansix IncCOM00773T101258$503.23M+32−37
2252Benchmark Electrs IncCOM08160H101258$1.74B+52−27
2253Collegium Pharmaceutical IncCOM19459J104258$1.15B+34−44
2254Compania De Minas BuenaventuSPONSORED ADR204448104258$3.31B+54−28
2255Dynex Cap IncCOM26817Q886258$958.76M+50−48
2256Fidelity Covington TrustENHANCED MID31609A503258$3.58B+44−24
2257Shoals Technologies Group InCL A82489W107258$892.14M+50−55
2258Zillow Group IncCL A98954M101258$1.44B+38−71
2259Acv Auctions IncCOM CL A00091G104257$613.01M+55−50
2260Douglas Emmett IncCOM25960P109257$1.24B+35−45
2261Fidelity Covington TrustMSCI ENERGY IDX316092402257$767.17M+65−19
2262Innospec IncCOM45768S105257$1.55B+34−28
2263Klaviyo IncCOM SER A49845K101257$2.80B+52−48
2264Prudential PLCADR74435K204257$1.02B+43−34
2265Spdr Series TrustDJ REIT ETF78464A607257$1.18B+31−21
2266Schwab Strategic Tr5 10YR CORP BD808524698257$1.12B+55−24
2267Sixth Street Specialty LendiCOM83012A109257$894.91M+40−35
2268Stepstone Group IncCOM CL A85914M107257$3.29B+52−49
2269Vital Farms IncCOM92847W103257$567.43M+55−83
2270Wells Fargo Co NewPERP PFD CNV A949746804257$2.38B+18−19
2271A10 Networks IncCOM002121101256$1.37B+52−30
2272Alpha Metallurgical Resour ICOM020764106256$2.03B+37−47
2273Curbline Pptys CorpCOM23128Q101256$2.29B+45−18
2274Fidelity Covington TrustMSCI UTILS INDEX316092865256$1.17B+46−38
2275First Tr Exch Traded Fd IIILNG/SHT EQUITY33739P103256$1.72B+23−18
2276Hilton Grand Vacations IncCOM43283X105256$3.05B+33−37
2277J P Morgan Exchange Traded FBETABULDRS JAPAN46641Q217256$10.64B+45−47
2278Kt CorpSPONSORED ADR48268K101256$3.08B+47−24
2279Novagold Res IncCOM NEW66987E206256$2.89B+45−23
2280Clearway Energy IncCL A18539C105255$851.40M+34−30
2281Coca-Cola Femsa Sab De CvSPONS ADS REP191241108255$1.73B+35−21
2282Cohu IncCOM192576106255$1.38B+41−29
2283Community Financial System ICOM203607106255$1.94B+30−29
2284Nuvalent IncCOM670703107255$7.36B+47−22
2285Brookfield Renewable PartnerPARTNERSHIP UNITG16258108255$5.97B+36−16
2286Cbiz IncCOM124805102254$1.27B+54−60
2287Dimensional ETF TrustUS SUSTAINABILTY25434V716254$1.39B+17−14
2288Enterprise Finl Svcs CorpCOM293712105254$1.47B+34−19
2289La Z Boy IncCOM505336107254$1.07B+31−32
2290Proto Labs IncCOM743713109254$1.09B+47−19
2291Travere Therapeutics IncCOM89422G107254$2.77B+42−57
2292Wisdomtree TrEMG MKTS SMCAP97717W281254$1.03B+17−11
2293Pagseguro Digital LtdCOM CL AG68707101254$1.07B+42−27
2294Imax CorpCOM45245E109253$1.77B+47−33
2295Kayne Anderson Energy InfrstCOM486606106253$807.22M+21−17
2296Array Technologies IncCOM SHS04271T100252$1.21B+36−63
2297Aurinia Pharmaceuticals IncCOM05156V102252$1.05B+33−30
2298Ceco Environmental CorpCOM125141101252$1.55B+53−25
2299Evolv Technologies Hldngs InCOM CL A30049H102252$620.72M+45−48
2300First Comwlth Finl Corp PaCOM319829107252$1.16B+34−23

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